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GTAGF GOLDEN TAG RESOURCES

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  • 0.079000
  • 0.0000000.00%
Close Nov 6 16:00 ET
31.27MMarket Cap-39500P/E (TTM)

GOLDEN TAG RESOURCES Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
4.62%7.88M
4.53%6.65M
4.53%6.65M
-0.72%6.95M
24.37%7.42M
10.66%7.53M
-25.82%6.37M
-25.82%6.37M
-23.75%7M
163.95%5.97M
-Cash and cash equivalents
4.70%7.82M
4.57%6.61M
4.57%6.61M
-0.52%6.91M
25.06%7.38M
12.69%7.47M
-24.80%6.32M
-24.80%6.32M
-23.01%6.95M
182.64%5.9M
-Short-term investments
-5.88%56K
0.00%49K
0.00%49K
-26.67%38.5K
-36.84%42K
-66.05%59.5K
-73.00%49K
-73.00%49K
-66.41%52.5K
-61.58%66.5K
Receivables
-40.62%120.97K
2.90%112.67K
2.90%112.67K
-76.76%116.68K
-68.16%142.09K
-38.30%203.73K
-40.95%109.49K
-40.95%109.49K
271.79%502.12K
490.81%446.23K
-Taxes receivable
-40.62%120.97K
2.90%112.67K
2.90%112.67K
-76.76%116.68K
-68.16%142.09K
-38.30%203.73K
-40.95%109.49K
-40.95%109.49K
271.79%502.12K
490.81%446.23K
Prepaid assets
299.28%576.15K
335.42%326.57K
335.42%326.57K
33.69%127.03K
9.84%127.55K
1.77%144.3K
-43.49%75K
-43.49%75K
11.52%95.02K
--116.12K
Total current assets
8.85%8.58M
8.29%7.09M
8.29%7.09M
-5.31%7.19M
17.79%7.69M
8.26%7.88M
-26.40%6.55M
-26.40%6.55M
-19.19%7.6M
179.49%6.53M
Non current assets
Total non current assets
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total assets
8.85%8.58M
8.29%7.09M
8.29%7.09M
-5.31%7.19M
17.79%7.69M
8.26%7.88M
-26.40%6.55M
-26.40%6.55M
-19.19%7.6M
179.49%6.53M
Liabilities
Current liabilities
Payables
15.45%465.05K
-41.92%441.48K
-41.92%441.48K
-56.47%94.46K
-36.59%118.69K
34.74%402.82K
-2.36%760.14K
-2.36%760.14K
21.10%216.98K
53.14%187.16K
-accounts payable
15.45%465.05K
-41.92%441.48K
-41.92%441.48K
-56.47%94.46K
-36.59%118.69K
34.74%402.82K
-2.36%760.14K
-2.36%760.14K
21.10%216.98K
53.14%187.16K
Current liabilities
15.45%465.05K
-41.92%441.48K
-41.92%441.48K
-56.47%94.46K
-36.59%118.69K
34.74%402.82K
-2.36%760.14K
-2.36%760.14K
21.10%216.98K
53.14%187.16K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
15.45%465.05K
-41.92%441.48K
-41.92%441.48K
-56.47%94.46K
-36.59%118.69K
34.74%402.82K
-2.36%760.14K
-2.36%760.14K
21.10%216.98K
53.14%187.16K
Shareholders'equity
Share capital
3.43%28.82M
13.33%28.82M
13.33%28.82M
13.23%28.79M
26.20%28.79M
25.46%27.86M
16.15%25.43M
16.15%25.43M
17.11%25.42M
43.39%22.81M
-common stock
3.43%28.82M
13.33%28.82M
13.33%28.82M
13.23%28.79M
26.20%28.79M
25.46%27.86M
16.15%25.43M
16.15%25.43M
17.11%25.42M
43.39%22.81M
Retained earnings
0.64%-26.77M
-3.18%-26.22M
-3.18%-26.22M
-8.05%-25.73M
-18.58%-27.45M
-22.31%-26.94M
-23.18%-25.41M
-23.18%-25.41M
-23.23%-23.81M
-43.76%-23.14M
Paid-in capital
--2.01M
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Gains losses not affecting retained earnings
-34.33%303.82K
-30.24%301.88K
-30.24%301.88K
-39.48%260.98K
-10.98%398.83K
2.62%462.64K
-3.51%432.77K
-3.51%432.77K
-4.90%431.2K
-2.53%448K
Other equity interest
-38.53%3.75M
-29.80%3.75M
-29.80%3.75M
-29.19%3.78M
-6.34%5.84M
-4.00%6.09M
-16.70%5.34M
-16.70%5.34M
-16.37%5.34M
220.06%6.23M
Total stockholders'equity
8.49%8.11M
14.88%6.65M
14.88%6.65M
-3.81%7.1M
19.40%7.57M
7.13%7.48M
-28.70%5.79M
-28.70%5.79M
-19.97%7.38M
186.46%6.34M
Total equity
8.49%8.11M
14.88%6.65M
14.88%6.65M
-3.81%7.1M
19.40%7.57M
7.13%7.48M
-28.70%5.79M
-28.70%5.79M
-19.97%7.38M
186.46%6.34M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
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(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 4.62%7.88M4.53%6.65M4.53%6.65M-0.72%6.95M24.37%7.42M10.66%7.53M-25.82%6.37M-25.82%6.37M-23.75%7M163.95%5.97M
-Cash and cash equivalents 4.70%7.82M4.57%6.61M4.57%6.61M-0.52%6.91M25.06%7.38M12.69%7.47M-24.80%6.32M-24.80%6.32M-23.01%6.95M182.64%5.9M
-Short-term investments -5.88%56K0.00%49K0.00%49K-26.67%38.5K-36.84%42K-66.05%59.5K-73.00%49K-73.00%49K-66.41%52.5K-61.58%66.5K
Receivables -40.62%120.97K2.90%112.67K2.90%112.67K-76.76%116.68K-68.16%142.09K-38.30%203.73K-40.95%109.49K-40.95%109.49K271.79%502.12K490.81%446.23K
-Taxes receivable -40.62%120.97K2.90%112.67K2.90%112.67K-76.76%116.68K-68.16%142.09K-38.30%203.73K-40.95%109.49K-40.95%109.49K271.79%502.12K490.81%446.23K
Prepaid assets 299.28%576.15K335.42%326.57K335.42%326.57K33.69%127.03K9.84%127.55K1.77%144.3K-43.49%75K-43.49%75K11.52%95.02K--116.12K
Total current assets 8.85%8.58M8.29%7.09M8.29%7.09M-5.31%7.19M17.79%7.69M8.26%7.88M-26.40%6.55M-26.40%6.55M-19.19%7.6M179.49%6.53M
Non current assets
Total non current assets --0--0--0--0--0--0--0--0--0--0
Total assets 8.85%8.58M8.29%7.09M8.29%7.09M-5.31%7.19M17.79%7.69M8.26%7.88M-26.40%6.55M-26.40%6.55M-19.19%7.6M179.49%6.53M
Liabilities
Current liabilities
Payables 15.45%465.05K-41.92%441.48K-41.92%441.48K-56.47%94.46K-36.59%118.69K34.74%402.82K-2.36%760.14K-2.36%760.14K21.10%216.98K53.14%187.16K
-accounts payable 15.45%465.05K-41.92%441.48K-41.92%441.48K-56.47%94.46K-36.59%118.69K34.74%402.82K-2.36%760.14K-2.36%760.14K21.10%216.98K53.14%187.16K
Current liabilities 15.45%465.05K-41.92%441.48K-41.92%441.48K-56.47%94.46K-36.59%118.69K34.74%402.82K-2.36%760.14K-2.36%760.14K21.10%216.98K53.14%187.16K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 15.45%465.05K-41.92%441.48K-41.92%441.48K-56.47%94.46K-36.59%118.69K34.74%402.82K-2.36%760.14K-2.36%760.14K21.10%216.98K53.14%187.16K
Shareholders'equity
Share capital 3.43%28.82M13.33%28.82M13.33%28.82M13.23%28.79M26.20%28.79M25.46%27.86M16.15%25.43M16.15%25.43M17.11%25.42M43.39%22.81M
-common stock 3.43%28.82M13.33%28.82M13.33%28.82M13.23%28.79M26.20%28.79M25.46%27.86M16.15%25.43M16.15%25.43M17.11%25.42M43.39%22.81M
Retained earnings 0.64%-26.77M-3.18%-26.22M-3.18%-26.22M-8.05%-25.73M-18.58%-27.45M-22.31%-26.94M-23.18%-25.41M-23.18%-25.41M-23.23%-23.81M-43.76%-23.14M
Paid-in capital --2.01M------------------------------------
Gains losses not affecting retained earnings -34.33%303.82K-30.24%301.88K-30.24%301.88K-39.48%260.98K-10.98%398.83K2.62%462.64K-3.51%432.77K-3.51%432.77K-4.90%431.2K-2.53%448K
Other equity interest -38.53%3.75M-29.80%3.75M-29.80%3.75M-29.19%3.78M-6.34%5.84M-4.00%6.09M-16.70%5.34M-16.70%5.34M-16.37%5.34M220.06%6.23M
Total stockholders'equity 8.49%8.11M14.88%6.65M14.88%6.65M-3.81%7.1M19.40%7.57M7.13%7.48M-28.70%5.79M-28.70%5.79M-19.97%7.38M186.46%6.34M
Total equity 8.49%8.11M14.88%6.65M14.88%6.65M-3.81%7.1M19.40%7.57M7.13%7.48M-28.70%5.79M-28.70%5.79M-19.97%7.38M186.46%6.34M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

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